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I'm trying to create an IRR table for property investments with a 5 year time
horizon, based on a series of negative cash outflows (representing the initial outlay and subsequent monthly loan payments), followed by a cash inflow in the future when I sell the asset. My table looks something like this: Year Cash Flow IRR 0 -10,000 1 -1,000 2 -1,000 3 -1,000 4 -1,000 5 -1,000 What I would like to do is find the IRR for each year, assuming I can sell the property that year for $20,000. So, what is the IRR if I sell it in Year 3, Year 4, etc. Thanks in advance! |
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